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Bei normalen Marktverhältnisse soll die Aufteilung auf diese Klassen nach einem eigenem computergestützten Auswertungssystem nach Trendstärke adjustiert werden. Die Aufteilung soll im langfristigen Mittel aktienlastig sein, mit Abweichungen nach Momentum können aber auch Untergewichtungen entstehen.\r\n \r\n Nach starken Einbrüchen am Aktienmarkt sind aber Höhergewichtungen auf diskretionärer Basis beabsichtigt.\r\n \r\n Zur Analyse sollen für alle Anlageklassen fundamentale (u.a. Qualitative Analyse) und technische Methoden (u.a. Gesamtmarktanalyse, relative Stärke) genutzt werden.\r\n \r\n Innerhalb der Anlageklassen soll ebenfalls eine Auswahl nach Momentum erfolgen, innerhalb der größten Klasse, dem Aktienanteil, die Wahl der Einzeltitel nach Momentum- und Value-Aspekten, die Gewichtung der Einzeltitel hingegen nach Momentum und ATR als Risiko-Maßstab. So sollen schwankungsärmere und Momentum starke Werte höhere Anteile im wikifolio erhalten. Grundsätzlich soll eine Diversifikation über mehrere Märkte und Sektoren erhalten bleiben. Einzelne Aktien-Titel sollen nie über etwa 10% des wikifolio ausmachen.\r\n \r\n Zur Diversifikation ist der Einsatz von weiteren ETFs, Fonds und Zertifikaten beabsichtigt, auch der Einsatz von Hebelzertifikaten, um eine aus meiner Sicht geringe Hebelung zu erzielen, den Aktienanteil temporär möglichst stabilisieren oder eine leicht negative Korrelation zum Aktienmarkt zu erreichen.\r\n \r\n Strukturanpassung und Rebalancing aufgrund der aktuellen Marktentwicklung sind mindestens 1x monatlich beabsichtigt, eine hohe Umschlagsgeschwindigkeit soll aber vermieden werden.\r\n \r\n Long-Short-Ansätze können Bestandteil des wikifolios sein.\r\n \r\n Der Anlagehorizont soll überwiegend kurz-bis mittelfristig ausgerichtet sein. 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